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Deutsche Bank to Replace Co-CEOs

June 11, 2015 by Louis Chunovic

The Deutsche Bank supervisory board has appointed John Cryan, 54, a board member who formerly was president for Europe at Temasek, the Singaporean investment company (2012 to 2014), and chief financial officer of UBS (2008 to 2011), to the position of co-chief executive officer, effective July 1. The appointment, made at what the bank called… Read More >>

Filed Under: General Interest, Industry News, People Moves Tagged With: compliance, data management, NYDFS, operations, Regulation & Compliance, SEC

Linear Investments Deploys Market Surveillance System

June 9, 2015 by Louis Chunovic

Ancoa, a London-based provider of contextual surveillance and analytics for exchanges, regulators, buy- and sell-side firms, reports that Linear Investments, a UK investment manager, has deployed Ancoa’s market surveillance and analytics capabilities for its execution and trading platforms, officials say. “With market surveillance being a top priority in the regulators’ mind, and the new Market… Read More >>

Filed Under: General Interest, Industry News Tagged With: Ancoa, compliance, data management, Dodd-Frank, market analytics, market surveillance, SEC

DTCC to Use Risk Focus Product

June 9, 2015 by Ryan Boysen

Risk Focus, a New York City-based provider of trading, risk and cloud-enabling solutions for capital markets, reports that the post-trade systems provider DTCC will employ the Risk Focus Validate Trade engine internally, aiming to enhance its pre-user acceptance testing for the Global Trade Repository service of the DTCC. These steps are in advance of the… Read More >>

Filed Under: General Interest, Industry News Tagged With: compliance, data management, Dodd-Frank, DTCC, DTCC’s Global Trade Repository (GTR), ESMA, Risk Focus, SEC

Buy Side Wants More Light in Dark Pools: Report

June 9, 2015 by Ryan Boysen

There’s widespread dissatisfaction with the level of transparency at dark pools among asset managers and hedge funds, according to a new report by market research firm, the Tabb Group. Roughly 72 percent of the head traders at 92 asset managers and hedge funds polled by Tabb researchers said they were “dissatisfied with transparency levels in… Read More >>

Filed Under: Securities Operations, Buy-Side Tagged With: compliance, dark pools, data management, Dodd-Frank, SEC, transparency

SunGard Launches Utility for OTC Clearing

June 9, 2015 by Eugene Grygo

Financial technology and services giant SunGard has launched its Post-Trade Derivatives Utility with Barclays as its anchor customer and is targeting futures commission merchants (FCMs) that need alternative services support, officials say. SunGard’s utility offers support for derivatives clearing operations and technology services for trade clearing, trade lifecycle management, margin processing, brokerage, reconciliation, data management… Read More >>

Filed Under: General Interest, Industry News Tagged With: CFTC, compliance, data management, Dodd-Frank, EMIR, FCM, SEC, SunGard

Elizabeth Warren Blasts SEC Chair’s Performance

June 5, 2015 by Eugene Grygo

Outspoken Wall Street critic U.S. Senator Elizabeth Warren (D-Mass.) is blasting SEC Chair Mary Jo White and the regulator’s record over the past two years in a letter that raises “serious concerns” about White’s leadership of the agency. Describing White’s tenure as “extremely disappointing,” Warren says that the agency is not “consistently and aggressively” enforcing… Read More >>

Filed Under: General Interest, Regulation & Compliance, Industry News Tagged With: compliance, Mary Jo White, operations, regulation, SEC

CastleOak Securities Hires MD from Deutsche Bank

June 5, 2015 by Ryan Boysen

Boutique investment banking firm CastleOak Securities has hired Rick Carr as a senior managing director and co-head of sales and trading, officials say. In his new role, Carr will report to David R. Jones, president and CEO of CastleOak, and he will be focused on “building the firm’s fixed income business and team nationally, with… Read More >>

Filed Under: People Moves Tagged With: CastleOak Securities, CFTC, compliance, data management, Fixed Income, fixed income processing, operations, sales and trading, SEC

Gresham Computing’s New CEO from SAS Institute

June 5, 2015 by Ryan Boysen

Reconciliation vendor Gresham Computing has appointed Ian Manocha as its new CEO, officials say. Manocha will be based in London and tasked with executing “on the firm’s ambitious and strategic global growth rates,” according to a company statement. Chris Errington, who previously held the CEO post at Gresham, is stepping down in light of Manocha’s… Read More >>

Filed Under: Reconciliation & Exceptions, People Moves Tagged With: compliance, data management, Dodd-Frank, reconciliation, SEC

SEC Taps Goldman Sachs for Chief of Staff

June 5, 2015 by Louis Chunovic

SEC officials report that Andrew J. “Buddy” Donohue has been named the agency’s chief of staff, replacing Lona Nallengara, who will leave the agency in June. As chief of staff, Donohue will be a senior adviser to Chair Mary Jo White on “all policy, management, and regulatory issues,” according to an SEC statement. Most recently,… Read More >>

Filed Under: People Moves Tagged With: asset management, compliance, operations, SEC

Polish CCP Clears First OTC Trades

June 2, 2015 by Ryan Boysen

Polish clearinghouse KDPW_CCP has cleared the first over-the-counter (OTC) trades denominated in Polish zloty (PLN) between Citi Handlowy and mBank, officials say. The launch of KDPW_CCP’s OTC derivatives and repo clearing service was mandated by the European Market Infrastructure Regulation (EMIR), according to which all OTC trades of certain derivatives must be cleared by an… Read More >>

Filed Under: Derivatives Operations, Derivatives Processing, Clearing, Settlement, General Interest, Industry News Tagged With: CFTC, clearing, compliance, data management, Dodd-Frank, operations, OTC derivatives, SEC

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